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Financial Risk Specialist– Credit & Trading Risk – Experienced Customer Journey Expert
ING Bank N.V. (ING) is looking for a Financial Risk Specialist within Credit Expert Group (“CEG”) team within Financial Institutions/Financial Markets (FIFM) Risk Management.
FIFM Risk CEG is a global department within ING Wholesale Banking, responsible for counterparty credit risk measurement of ING’s global derivative and collateral portfolio. More in specific, FIFM Risk CEG is responsible for:
We are looking for an experienced professional with 8 or more years of experience in market and/or counterparty credit risk who is interested in executing and leading project activities within a challenging and evolving business environment. You will be part of a team, who is responsible for the implementation of counterparty credit risk measures and calculations within ING internally developed systems for ING’s global derivative portfolio and ING’s global collateral and securities finance portfolio. The daily activity requires analysis of datasets, participation in communication and coordination of data gathering, writing specifications, shaping target architecture, taking the lead of sub-projects that ensures regulatory compliance of ING Financial Markets, present your work to (senior management), and find agreement on your work with internal audit and model validation.
Your work environment
The FIFM Risk CEG work environment can be characterized as multi-cultural, informal and result-orientated. We work agile, meaning we interact with many departments across the FM value chain and seek for best practice inside and outside the organization.
Who we are looking for?
A successful candidate has strong task orientation and has affinity with counterparty credit trading risk concepts and feels responsible to take the lead in a certain area within her/his expertise. The candidate has good communication skills in order to interact with various stakeholders and team members on a day-to-day basis in a timely and professional manner. Our stakeholders range from traders, other risk departments, collateral management, operations, Information Technology (IT), reporting, finance professionals, (senior) management, and model risk management.